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Note 19. Fair Value of Financial Assets and Liabilities (Tables)
3 Months Ended
Dec. 31, 2014
Fair Value Disclosures [Abstract]  
Schedule Of Fair Value Assets And Liabilities

 

    December 31, 2014
     
    Level 1   Level 2   Level 3   Total
Assets                
Cash equivalents ................................................................................................................    $11,227    $        -       $    -       $ 11,227
Equity securities:                
   Insurance .......................................................................................................................        5,781              -             -            5,781
Bonds.................................................................................................................................              -           7,644          -            7,644
Non-qualified deferred                
compensation plan investments......................................................................................        1,958              -             -            1,958
Total assets at fair value ...................................................................................................    $18,966    $  7,644    $    -       $ 26,610
                 
Liabilities                
Interest rate swaps ............................................................................................................    $        -       $     175    $    -       $      175
Total liabilities at fair value ..............................................................................................    $        -       $     175    $    -       $      175

 

    September 24, 2014   September 25, 2013
         
    Level 1   Level 2   Level 3   Total   Level 1   Level 2   Level 3   Total
Assets                                
Cash equivalents .......................................    $    348    $         -       $     -       $      348    $         -       $     -       $     -       $         -   
Equity securities:                                
   Restaurant/Retail ...................................             -                  -              -                  -          79,357           -              -          79,357
   Insurance ..............................................       6,117               -              -            6,117         6,122           -              -            6,122
Bonds........................................................             -          18,008           -          18,008               -              -              -                  -   
Non-qualified deferred                                
compensation plan investments.............       1,633               -              -            1,633         1,169           -              -            1,169
Total assets at fair value ..........................    $ 8,098    $ 18,008    $     -       $ 26,106    $ 86,648    $     -       $     -       $ 86,648
                                 
Liabilities                                
Interest rate swaps ...................................    $       -       $      233    $     -       $      233    $         -       $  401    $     -       $      401
Total liabilities at fair value .....................    $       -       $      233    $     -       $      233    $         -       $  401    $     -       $      401